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1978 Budga
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TOWN OF ITHACA Page 1
i BUDGET 1911
GENERAL FUND APPROPRIATIONS
otj
GENERAL GOVERNMENT SUPPORT
Actual Budget Budget Pre -
Last This Year Officers liminary
Year Amended Tentative Budget
Accounts Codeo 1976 1977 1978 1978
TOWN BOARD .
Personal Services A1010ol 10800000 10800 , 00 10800000 10800000
Equipment- A1010 . 2 . 00 . 00 000 000
Contractual Exp . A1010 . 4 . 00 . 00 . 00 000
10800 . 00 10800 . 00 108OOeOO 108 00
, JUSTICES
Personal Services A1110 , 1 7600 . 00 8504 . 00 9200000 9100000
Equipment A1110 . 2 . 00 . 00 . 00 000
Contractual Exp , A1110 . 4 1550 . 00 2100 . 00 3260 . 00 3260 . 00
9 OT OoO6 1060�. (O 1 M 0 12W0 . 07
SUPERVISOR
Personal Services A122091 6800 . 00 6800 , 00 6800000 6800 . 00
Equipment I A1220 . 2 000 000 000 . 00
Contractual Exp , A1220 . 4 500 . 00 500000 500600 500 . 00
300 300000 7 300 . 00 3 0 . ff
• TOWN COMPTROLLER
J Personal Services A1315ol 000 . 00 13800 . 00 13800 . 00
f Equipment A1315 . 2 000 600 000 . 00
Contractual Exp . A1315 . 4 000 000 . 00 000
000 . 00 13800 . 00 13800 . 00
INDEPENDENT AUDITING
AND ACCOUNTING A1320 . 4 325900 325 . 00 500600 500800
325 . 00 �� * O 5009 00 . 0
I TAX COLLECTION
Personal Services A1330 . 1 5050 . 00 5140 . 00 5460 . 00 5140 . 00
Equipment A133092 . 00 . 00 600 000
1 ontractual Exp . A1330 . 4 900000 1000000 1100000 1100000
5950 . 00 6140 . 00 6560 . 00 6240 . 00
BUDGET
i Personal Services A1340ol 1200 . 00 1200 . 00 1200 . 00 1200 . 00
Equipment A134092 000 . 00 . 00 000
Contractual Exp . A134094 000 000 . 00 . 00
1200 . 00 1200 . 00 12OOoOO 1200 . 00
I
TOWN CLERK
Personal Services A1410ol 9000 . 00 10200 . 00 10800900 10200 . 00
Equipment A141092 000 . 00 000 000
Contractual Exp , A1410 . 4 500 . 00 800 . 00 990000 990000
9500900 17000000 1179 0 . 00 1 9TH 000
ATTORNEY
Personal Services A142091 8000000 8000000 8000000 8000000
Equipment A1420 . 2 , 00 000 400 000
Contractual Exp , Al420e4 200 . 00 200 . 00 200900 200 . 00
8200 . 00 8200000 8200000 8200 . 00
GENERAL FUND APPROPRIATIONS
Page 2
GENERAL GOVERNMENT SUPPORT
Actual Budget Budget Pre-
Last This Year Officers liminary
Year Amended Tentative Budget
Accounts Code 1976 1977 1978 1978
PERSONNEL
Personal Services A143091 20650 , 00 22960 . 00 25080 , 00 22960 . 00
I Equipment A1430 , 2 000 , 00 000 , 00
Contractual Exp , A1430 , 4 600 , 00 000 , 00
2065 0 2 6Z'�5-0 , 03 2080900 00 22960 ,
ENGINEER
ersonal Services A144091 21400 . 00 23000 , 00 25000900 21400, 00
quipment A1440 , 2 1200 , 00 1200 , 00 3350 : 00 3350 , 00
ontractual Exp , A1440 , 4 � - ` , 00 , 00 , 00 000
2263000 2 2MD'o 0 2833 0 * 0 2 56 . 00
ELECTIONS
Personal Services A1450 , 1 4800 , 00 4800 , 00 4800 . 00 4800 . 00
Equipment A1450 , 2 000 000 600 000
Contractual Exp , A1450 , 4 550 . 00 550 , 00 550 , 00 550 , 00
535 0 35� 0 , 00 5350 , 00 535900
SHARED SERVICES
BUILDINGS - TOWN HALL
Personal Services A1620 , 1 2000 , 00 1500 . 00 1500 . 00 1500 , 00
Equipment A1620 , 2 600 . 00 600 . 00 600900 600 , 00
Contractual Exp , A1620 , 4 9600 . 00 11700 . 00 13700 , 00 13700 . 00
12200oOO 1 WFO 00 1x6 * 00 19907T
T
CENTRAL PRINTING
+ AND MAILING
Personal Services A1670 , 1 000 000 000 000
Equipment A1670 , 2 , 00 000 000 000
Contractual Exp , A1670 , 4 2800 . 00 2800 , 00 2800 , 00 2800900
2800 , 00 2 009 b3 2800 , On TO F9 U
I PEC IAL ITEMS
Inallocated Inc . A1910 , 4 8800000 12100 . 00 13291 , 00 13291 , 00
Municipal Dues A1920s4 400 , 00 425 . 00 425400 425 . 00
i Contingent Account A1940 , 4 5000 . 00 25000 . 00 5000 , 00 5000000
t
14260sOO 37525 , ff 18716.06 1PT6.0T
TOWN GENERAL
GOVERNMENT SUPPORT 130175 . 00 162204 . 00 168706 . 00 161966 , 00
PUBLIC SAFETY
LAW ENFORCEMENT
POLICE , CONSTABLES
AND CROSSING GUARD
Personal Services A312091 1100000 2200000 2200000 2400 , 00
Equipment A3120 , 2 000 000 000 , 00
Contractual Exp , A3120 , 4 , 00 400 000 , 00
0 00 220 XO 2200sOO
TOTAL PUBLIC SAFETY 1100000 2200 . 00 2200 . 00 2400 . 00
Page 3
GENERAL FUND APPROPRIATIONS
GENERAL GOVERNMENT SUPPORT
Actual Budget Budget Pre-
Last This Year Officers liminary
Year Amended Tentative Budget
Accounts Code 1976 1977 1978 1978
I SUPERINTENDENT OF
HIGHWAYS
Personal Services A501001 13000 . 00 13000 . 00 14650 . 00 13800 . 00
Equipment A5010 . 2 . 00 000 . 00 000
Contractual Exp . . A5010 . 4 200 . 00 200 . 00 200900 200900
t
13200 . 00 13200 . 00 14850 . 00 1 000 . 00
` HIGHWAY GARAGE
Personal Services A513291 000 000 . 00 . 00
Equipment A5132 . 2 . 00 600 000 600
Contractual Exp . A513294 3000 . 00 3500 . 00 21000 . 00 3500 . 00
0 3500:00 21000 * 00 MOM
STREET LIGHTING
Contractual Exp , A5182 . 4 12000 .00 12000 . 00 12120 . 00 12120 . 00
TOTAL TRANSPORTATION 28200 . 00 28700900 47970 . 00 29620 . 00
CULTURE - RECREATION
I PLAYGROUNDS AND
RECREATION
Personal Services A7140 . 1 500000 500 . 00 500 . 00 500000
Equipment A7140 . 2 300 . 00 300 . 00 300 . 00 300 . 00
Contractual Exp , A7140 . 4 850 . 00 850 . 00 850 . 00 850 . 00
1650 . 00 650 . 00 65T 0 . 00 65
1 JOINT YOUTH PROJECT
Contractual Exp .
A7320 . 94 32599 . 00 27000 . 00 27875 . 00 27875 . 00
s 32599 : 00 27000 . 00 278 5 . 00 27875 . 00
1
' CELEBRATIONS
Contractual Exp , A7550 . 4 130 . 00 130900 130 . 00 130 . 00
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130 . 00 30 30 00 130 . 00
TOTAL CULTURE - RECREATION 34319 . 00 28780 . 00 29655 . 00 29655 . 00
UNDISTRIBUTED
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EMPLOYEES BENEFITS
State Retirement A9010 . 8 7500 . 00 12600900 14607 . 00 14607 . 00
Social Security A903098 5733 . 00 5733 . 00 6558 .00 6558 . 00
_ Workmens Comp , A9040 . 8 3233 . 00 4900 . 00 4900. . 00 4900 . 00
Unemployment Ins . A905098 -. 00 600 ._. � 000 . 00
Health Insurance A9060 . 8 3904 . 00 . 4800900 5800 . 00 5800 . 00
20370900 28033 . 00 3 865 00 3765e 0
SALARY POOL . 00 5000900
TOTAL GENERAL FUND
APPROPRIATIONS 214224 . 00 249917 . 00 280396 . 00 260506 . 00
GENERAL FUND ESTIMATED REVENUES Page 4
Actual Budget Budget Pre -
Last This Year Officers liminary
Year Amended Tentative Budget
Accounts Code 1976 1977 1978 1978
OTHER TAX ITEMS
Interest & Penalties
' Real . Prop . Taxes A1090 1000 . 00 1200 . 00 1300 . 00 1300 , 00
Other Pmts . " In
j Lieu of Taxes A1080 270 . 00 500 , 00 1900000 1900 . 00 '
TOWN CLERK FEES A1255 500 . 00 500600 500000 500 . 00
USE OF MONEY AND PROPERTY
Interest & Earnings A2401 8000000 4000 . 00 4000 . 00 4000 . 00
LICENSES AND PERMITS
Dog License Apprt , A2544 1200 . 00 1200 , 00 1400 . 00 1400 . 00
FINES , AND FORFEIT BAIL
Fines & Forfeit Bail A2610 12000 . 00 12000 . 00 12000 . 00 12000 . 00
TOTAL LOCAL SOURCES
ESTIMATED REVENUES 22970 . 00 19400000 21100 . 00 21100 . 00 .
STATE AID
i STATE PER CAPITA A3001 100000 . 00 100000000 100000000 100000 . 00
STATE AID - CETA A3090 8570900 6000 . 00 10000 . 00 . 00
STATE AID '
YOUTH PROGRAMS A3820 11000 . 00 , 9000000 8551 . 00 8551 . 00
s
ANTI - RECESSION 000 000 14487 . 00 14487900
! , TOTAL STATE AID
ESTIMATED REVENUES 119570 . 00 115000 . 00 133038 . 00 123038 . 00
TOTAL ESTIMATED REVENUES
GENERAL FUND 142540 . 00 134400 . 00 154138 . 00 144138 . 00
ESTIMATED UNEXPENDED
BALANCE _ GENERAL FUND 42000900 . 00
000 000
; . TOTAL APPROPRIATIONS
GENERAL FUND TOWN WIDE
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GENERAL GOVERNMENT 130175 . 00 162204 , 00 168706 . 00 161966 . 00
� PUBLIC SAFETY 1100000 2200 . 00 2200 . 00 2400 . 00
TRANSPORTATION 28200 . 00 28700 . 00 47970 . 00 29620 . 00
CULTURE- RECREATION 34379 . 00 28780 . 00 29655 , 00 29655600
UNDISTRIBUTED 20370 . 00 28033 . 00 31865 . 00 31865 . 00
SALARY POOL 000 . 00 000 5000 . 00
TOTAL APPROPRIATIONS 214224 . 00 249917 . 00 280396900 260506 . 00
LESS REVENUES & UNEXP . BAL , 184540 . 00 134400 . 00 154138 . 00 144138900
AMOUNT TO BE RAISED BY
i TAXES GENERAL FUND TOWNWIDE 29684 . 00 115517900 126258400 116368 . 00
f PART TOWN FUND APPROPRIATIONS Page 5
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' Actual Budget Budget Pre-
Last This Year Officers liminary
Year Amended Tentative Budget
Accounts Code 1976 1911 1978 1978
ZONING
Personal Services B801091 6000900 6000 . 00 11900000 11900000
Equipment I B8010 . 2 000 . 00 . 00 . 00
Contractual Exp , B8010 . 4 2000 . 00 2000 . 00 2200 . 00 2200 . 00
8000 . 00 8000900 1 400. 00 1 4T 00 . 01
1 PLANNING
Personal Services B802091 4680 ..00 3500 . 00 12000 . 00 12000 . 00
Equipment B8020 . 2 250 . 00 250 . 00 250 . 00 250 . 00
Contractual Exp , B8020 . 4 2500 . 00 4075 . 00 6515 . 00 . 4075 . 00
7430 . 00 7825 . 00 18825 . 00 16325 . 00
+� ATTORNEY
Personal Services 81420 . 1 9000000 6000000 6000 . 00 6000 . 00
Equipment 61420 . 2 000 . 00 000 000
Contractual Exp . 61420 . 4 . 00 $ 00 . 00 000
000 . 00 000 . 00 600- 0 .FO 6000 . 00
TOWN POLICEMAN B3120 . 4 000 000 . 17000 . 00 17000 . 00
(
000 000 17000 . 00 17000. 00
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EMPLOYEE BENEFITS B9030 . 8 596 . 00 596900 1398000 , 1398 . 00
E SPECIAL ITEMS
Contingent Account 81990 . 4 15000 . 00 15000 . 00 5000 . 00 2500 . 00
TOTAL PART TOWN
APPROPRIATIONS 40026 . 00 37421900 62323 . 00 57323900
ZONING
Zoning Fees B2110 1200000 1500 . 00 1500 . 00 1500900
FRANCHISE
Franchise Tax T V 82770 1600 . 00 2200 . 00 2200 . 00 2200 . 00
MORTGAGE TAX B3005 20000 . 00 22000 . 00 22000900 25000 . 00
STATE AID CETA B3090 . 00 000 000 10000000
Payments " IN LIEU
OF TAX PAYMENTS " B1080 1150900 1200 . 00 2000 . 00 2000 . 00
j TOTAL ESTIMATED REVENUES
LOCAL SOURCES 23950900 26900 . 00 27700 .00 40700 . 00
{ STATE AID
STATE PER CAPITA 83001 91000 . 00 91000 . 00 94000900 97000 . 00
TOTAL ESTIMATED REVENUES
PART TOWN STATE AID 91000000 91000000 94000 . 00 97000 . 00
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' Actual Budget Budget Pre-
Last This Year Officers liminary
Year Amended Tentative Budget
Accounts Code 1976 1977 1978 1978
1
TOTAL PART TOWN ESTIMATED
REVENUES 114950 . 00 117900 . 00 121700 . 00 137700 . 00
UNEXPENDED BALANCE 15000 . 00 15000 . 00 15000 . 00 15000 . 00
1 TOTAL PART TOWN REVENUES
AND UNEXPENDED BALANCE 129950 . 00 132900 . 00 136700 . 00 152700 . 00 1 .
INTER - FUND TRANSFER
Transfer to Highway B9540 . 9 89924. 00 95479 . 00 74377 . 00 95377 . 00
FIRE PREVENTION AND CONTROL APPROPRIATIONS
FIRE FIGHTING
Personal Services B3410 . 1 . 00 . 00 900 . . 00
Equipment B341092 . 00 000 . 00 000
Contractual Exp . B3410 . 4 156150 . 00 159500 . 00 159500 . 00 159500900
156 5-150 . 00 159500 . 00 159500 . 00 15 . 00
TOTAL FIRE PREVENTION
AND . CONTROL APPROPRIATIONS ( City - $ 136 , 500 . 00 & VCH - $ 239000 . 00 )
OTHER TAX ITEMS FIRE PREVENTION AND CONTROL REVENUES
" IN LIEU OF TAX PMTS ° 500 . 00 2000 . 00 2000 . 00 2000 . 00
! USE OF MONEY AND PROPERTY
j Interest and Earnings 500 : 00 1000000 . 1000000 1000000
TOTAL ESTIMATED REVENUES 1000000 3000 . 00 3000 . 00 3000900
UNEXPENDED BALANCE 1500 . 00 3000 . 00 3600 . 00 3600 . 00
OTAL FIRE PREVENTION AND
CONTROL ESTIMATED REVENUES
AND UNEXPENDED BALANCE 2500 . 00 6000 . 00 6600 . 00 6600 . 00
AMOUNT TO BE RAISED BY TAXES
FOR FIRE PREVENTION 153650 . 00 153500 . 00 152900 . 00 152900 . 00
FEDERAL REVENUE SHARING APPROPRIATIONS
FEDERAL REVENUE SHARING
• ACCOUNT CF4001 78816 . 00 91108 . 00 94132 . 00 94132 . 00
TOTAL FEDERAL REVENUE SHARING
APPROPRIATIONS 78816 . 00 91108 . 00 94132 . 00 94132 . 00
FEDERAL REVENUE SHARING REVENUES
1 FEDERAL REVENUE SHARING REVENUES
f TOTAL ESTIMATED REVENUES 78816 . 00 91108 . 00 94132000 94132 . 00
AMOUNT TO BE RAISED BY TAXES
FOR FEDERAL REVENUE SHARING 600 . 000 . 00 . 00
ANTI - RECESSION
ANTI -RECESSION REVENUES 400 000 14487 . 00 14487 . 00
ANTI - RECESSION APPROPRIATIONS 000 000 14487 . 00 14487 . 00
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HIGHWAY FUND APPROPRIATIONS Page 7
Actual Budget Budget Pre -
: Last This Year Officers liminary
Year Amended Tentative Budget
Accounts Code 1976 1977 1978 1978
REPAIRS AND IMPROVEMENTS ITEM
GENERAL REPAIRS
Personal Services DR5110 . 1 23296 . 00 25160 . 00 26921 . 00 26921 . 00
{ Contractual Exp , DR5110 . 4 29400900 31752 . 00 33975900 33975 . 00
j 52696 . 00 569T2 . 00 60896 . 00 60896900
IMPROVEMENTS
Personal Services DR511291 14560 . 00 15725 . 00 16826 . 00 16826 . 00
Contractual Exp . DR5112 . 4 22896900 24728 . 00 26459 . 00 26459900.
EMPLOYEE BENEFITS
State Retirement DR90lOe8 6050 . 00 6050900 . 6050 . 00 6050 . 00
Social Security DR9030 . 8 2200 . 00 2376 . 00 2559 . 00 2559900
i Unemployment Ins . DR9050 . 8 - 000 . 00 000 000
+� Health Insurance DR9060 . 8 3200 . 00 3456 . 00 3456 . 00 3456 . 00
► . TOTAL APPROPRIATIONS
ITEM I DR9900eOI01602 . 00 109247 . 00 116246 . 00 116246 . 00
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BRIDGE FUND ITEM II
MAINTENANCE OF BRIDGES
Personal Services DB5120 . 1 000 000 300 . 00 300 . 00
Contractual Exp . DB5120 . 4 . 00 000 200 . 00 200 . 00
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000 500 * OU 9�. �0
EMPLOYEE BENEFITS
State Retirement DB901098 400 000 30 . 00 30 . 00
' Social Security DB9030 . 8 000 . 00 18 , 00 18400
Unemployment Ins . DB9050 . 8 000 . 00 . 00 000
tealth Insurance DB9060 . 8 . 00 . 00 18 : 00 18 . 00
Soo 6e 66 * 60
OTAL APPROPRIATIONS
ITEM II DB990000 . 00 000 566 . 00 566 . 00
MACHINERY FUND ITEM III
MACHINERY
Personal Services DM5130ol 4370 . 00 4720 , 00 5050 . 00 5050 . 00
Equipment DM5130 . 2 22000 , 00 23760900 25423 . 00 25423 . 00
Contractual Exp , DM513094 13500 . 00 14580 . 00 15601 . 00 15601900
39870 , 0 308 . 0 7470T* 00 6�( Tfe�O U
EMPLOYEE BENEFITS
State Retirement DM9010 . 8 400 . 00 432 . 00 505900 505000
i Social Security DM9030 . 8 256900 276900 295900 295 . 00
Unemployment Ins . DM905098 000 000 . 00 600
Health Insurance DM9060 . 8 500 . 00 540000 540 . 00 540 . 00
� 11500 UNF00 340 00 TWO . 6�
TOTAL APPROPRIATIONS
ITEM III DM990090 41026 . 00 44308 . 00 47414900 47414 . 00
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HIGHWAY FUND REVENUES Page 8
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Actual Budget Budget Pre -
I Last This Year Officers liminary
i ' Year Amended Tentative Budget
Accounts Code 1976 1977 1978 1978
SNOW AND MISCELLANEOUS ITEM IV
MISCELLANEOUS
( Brush and Weeds )
Personal Services DS5140ol 8736 . 00 9435 . 00 10095 . 00 10095 . 00
Contractual Exp . DS5140 . 4 6750 . 00 7190900 7693 . 00 7693 . 00
1548 . 00 1 "6F25 1 . 00 17788oOO 17T88 , 56
SNOW REMOVAL
Personal Services DS5142ol 28120 . 00 30370 . 00 32496 . 00 32496 . 00
Contractual Exp . DS5142 . 4 12825900 13851 . 00 14821 . 00 14821 . 00
40945 . 00 4422 . 00 47317a
EMPLOYEE BENEFITS
State Retiremebt DS901098 3850 . 00 4158 . 00 9600 . 00 9600 . 00
Social Security DS9030 . 8 2156 . 00 2328 . 00 2491 . 00 2491 . 00
Unemployment Ins . DS9050 . 8 000 000 000 . 00
Health Ins . DS906Oe8 1500 . 00 1620 . 00 2700 . 00 2700 . 00
7506 . 00 8 068 06 00 1 79 . 00 1T79 . 00
TOTAL APPROPRIATIONS
I ITEM IV DS9900oO 63937 . 00 68952 . 00 79896 . 00 79896 . 00
HIGHWAY FUND ESTIMATED REVENUES
REPAIRS AND IMPROVEMENTS ITEM I
LOCAL SOURCES
Interest & Earnings DR2401 1000000 1000000 1000000 1000000
INTER - FUND TRANSFER
Transfer to Highway
Gen . Part Town DR2812 89905 . 00 80000 . 00 74377 . 00 85000 . 00
$MfTrm
SAoTE AID
ileage and Val . Aid DR3507 2697 . 00 2720 . 25 2772 . 75 2772 . 75
TOTAL REVENUES 93602 . 00 83720 . 25 78149 . 75 8877235
ITEM I UNEXPENDED BAL . 8000000 8000 . 00 8000900 8000 . 00
TOTAL ESTIMATED REVENUES AND
UNEXPENDED BAL . ITEM I 101602 . 00 91720 . 25 8614935 96772 . 75
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BRIDGE FUND ITEM II
LOCAL . SOURCES
3
ITEM II UNEXP . BAL . 900 . 00 . 00 . 00
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? TOTAL ESTIMATED REVENUES
ITEM II 000 000 000 . 00
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HIGHWAY FUND REVENUES Page 9
Actual Budget Budget Pre-
Last This Year Officers liminary
Year Amended Tentative Budget
j Accounts Code 1976 1977 1978 1978
HIGHWAY FUND ESTIMATED REVENUES
MACHINERY FUND ITEM III
LOCAL SOURCES
Interest & Earnings DM2401 900000 1000 . 00 1000000 1000000
ental of Equipment OM2416 500000 500 . 00 500 . 00 500 . 00
! - INTER- FUND TRANSFER
Transfer to Highway
from Gen . Part Town DM2812 19 . 00 15479900 . 00 10377 . 00
OTHER SOURCES
Village DM2770 300 . 00 300 . 00 300 . 00 300600
TOTAL REVENUES - 1719 . 00 17279900 1800 . 00 12177900
ITEM III UNEXPENDED BALANCE 5000 . 00 . 5000 . 00 5000000 5000000
TOTAL ESTIMATED REVENUES
AND UNEXPENDED BAL . ITEM III 6719 . 00 22279 . 00 6800 . 00 17177 . 00
SNOW AND MISCELLANEOUS ITEM IV
LOCAL SOURCES
Serviceso.for Other Govs .
DS2300 4500900 4500 . 00 4500 . 00 4500 . 00
Interest & Earnings DS2401 1400000 1400 . 00 1400 . 00 1400 . 00
,TOTAL REVENUES ITEM IV 5900 . 00 5900 . 00 5900 . 00 5900000
TEM IV UNEXPENDED BALANCE 7000 . 00 5000900 5000 . 00 5000000
TOTAL ESTIMATED REVENUES
k AND UNEXP . BAL . ITEM IV 12900900 10900 . 00 10900000 10900000
{
SUMMARY - - HIGHWAY FUND
t .
! TOTAL ESTIMATED REVENUES ITEM I 969772 . 75_ TOTAL ESTIMATED REVENUES ITEM II . 00
TOTAL APPROPRIATIONS ITEM I 1169246 . 00 TOTAL APPROPRIATIONS ITEM II 566 . 00
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TAXES TO BE RAISED ITEM I 19 , 473 . 251 TAXES TO BE RAISED ITEM II 566 . 00
TOTAL ESTIMATED REVENUES ITEM III179171 . 06 TOTAL ESTIMATED REVENUES ITEM IV 109900000
TOTAL APPROPRIATIONS ITEM III 419414 . 00 TOTAL APPROPRIATIONS ITEM IV 799896 . 00
TAXES TO B.E . - RAISED ITEM III 309237900 TAXES TO BE RAISED ITEM IV 689996900
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ANNUAL ESTIMATE FOR FOREST HOME LIGHTING DISTRICT Page 10
APPROPRIATIONS
.4 New York State Electric & Gas 770 . 00
TOTAL FOREST HOME APPROPRIATIONS 770 . 00
1
REVENUES
Unexpended Balance 000
TOTAL FOREST HOME REVENUES . 00
AMOUNT TO BE RAISED BY TAXES 770 . 00
ANNUAL ESTIMATE FOR GLENSIDE LIGHTING DISTRICT
APPROPRIATIONS
New York State Electric & Gas 300 . 00
TOTAL GLENSIDE APPROPRIATIONS 300000
REVENUES
Unexpended Balance 000
TOTAL GLENSIDE REVENUES . 00
AMOUNT TO BE RAISED BY TAXES 300000
ANNUAL ESTIMATE FOR RENWICK HEIGHTS LIGHTING DISTRICT
� .
New York State Electric & Gas APPROPRIATIONS 415000
TOTAL RENWICK HEIGHTS APPROPRIATIONS 415 . 00
1
Unexpended Balance REVENUES 000
TOTAL RENWICK HEIGHTS REVENUES . 00
AMOUNT TO BE RAISED BY TAXES 415 . 00
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ANNUAL ESTIMATE FOR EASTWOOD COMMONS LIGHTING DISTRICT
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1 APPROPRIATIONS
New York State Electric & Gas 750 . 00
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TOTAL EASTWOOD COMMONS APPROPRIATIONS 750 . 00
Unexpended Balance REVENUES 00
Eastwood Commons Share In Lighting 130 . 00
TOTAL EASTWOOD COMMONS REVENUES 130000
AMOUNT TO BE RAISED IN TAXES 620 . 00
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TOWN OF ITHACA
TOTAL WATER BUDGET 1978
TOTAL APPROPRIATIONS - INDEBTEDNESS. $ 1059860900
TOTAL APPROPRIATIONS - MAINTENANCE 28 , 500 . 00
TOTAL WATER APPROPRIATIONS $ 134 , 360 . 00
TOTAL REVENUES - BENEFIT CHARGE $ 105 , 860 . 00
TOTAL REVENUES - SURCHARGE 289500 . 00
TOTAL WATER REVENUES $ 134 , 360 . 00
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1 TOWN OF ITHACA 1978 WATER BUDGET
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ANNUAL ESTIMATE FOR FISCAL YEAR BEGINNING JANUARY 1st , 1978
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WATER BUDGET OF INDEBTEDNESS
APPROPRIATIONS
Bond Anticipation Note Principal - . $ 110000000
Bond Anticipation Note Interest 249396 . 00
Bonded Note Principal 329500 . 00
Bonded Note Interest 229759 . 00
INDEBTEDNESS $909655 . 00
HYDRANT RENTAL - CITY OF ITHACA CONTRACT 19500 , 00
CAPITAL IMPROVEMENTS - EXTENSIONS 13 , 705 . 00
TOTAL WATER APPROPRIATIONS $ 1059860 . 00
REVENUES
i WATER BENEFIT CHARGES 10590860 . 00
i WATER DISTRICT BUDGET FOR MAINTENANCE , REPAIRS AND OPERATIONS
APPROPRIATIONS _
Power and Light 16 , 000900
Repairs and Maintenance and Operating Expenses 12 , 500 : 00
j $ 289500000
REVENUES
WATER SURCHARGES $ 289500 . 00
Page 13
TOWN OF ITHACA
TOTAL SEWER BUDGET 1978 '
1 TOTAL APPROPRIATIONS - INDEBTEDNESS $ 1999460 . 00
TOTAL APPROPRIATIONS - MAINTENANCE 4 , 500 . 00
TOTAL APPROPRIATIONS $ 2039960 . 00
TOTAL REVENUES - BENEFIT CHARGE $ 1999460 . 00 ph
TOTAL REVENUES - SURCHARGE 41500900
l TOTAL REVENUES $ 2039960 . 00
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j TOWN OF ITHACA 1978 SEWER BUDGET
ANNUAL ESTIMATE FOR FISCAL YEAR BEGINNING JANUARY 1st , 1978
I SEWER BUDGET OF INDEBTEDNESS
I
APPROPRIATIONS
1
Bonded Note Principal $91 , 500 . 00
Bonded Note Interest 100 , 404 . 00
Capital Improvements 71556 . 00
INDEBTEDNESS TOTAL SEWER $ 1999460 . 00
REVENUES
SEWER BENEFIT CHARGES $ 1999460 . 00
SEWER DISTRICT BUDGET FOR MAINTENANCE REPAIRS AND OPERATING
APPROPRIATIONS
Power and Light $ 420900
Repairs and Maintenance and Operating Expenses 45080 . 00
1 TOTAL MAINTENANCE APPROPRIATIONS $ 41500 . 00
REVENUES
,
SEWER SURCHARGES $ 49500000
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ANNUAL ESTIMATED BUDGET FOR 1978 TOWN OF ITHACAS
PARKS , PLAYGROUNDS AND RECREATIONAL AREAS CAPITAL RESERVE FUND
APPROPRIATIONS
EAST ITHACA BIKEWAY STUDY $ 39800 . 00
NORTHVIEW ROAD WEST - 2 , 000 . 00
TAREYTON ROAD - NORTHEAST PARKS 219500 . 00
TOTAL APPROPRIATIONS $ 27 , 300 . 00
REVENUES
! Unexpended Balance $ 27 , 300 . 00
! TOTAL REVENUES $ 27 , 300 . 00
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T 1977 1978
' • GENERAL FUND TOWNWIDE ADOPTED PRELIMINARY
!_ Appropriations 2499917 . 00 260 ; 506 : 00
Unexpended Balance . 00 . 00
Revenues 134 400000 1441138 . 00
TOTAL TO BE RAISED IN TAXES 5 , „,
i TAX RATE 1 . 416 1 . 415
i GENERAL FUND TOWN OUT ) AND HIGHWAY FUND
1 Appropriations 259 , 928 . 00 301 , 445 . 00
Unexpended. Balance 33 , 000 . 00 33, 000 . 00
Revenues 129 y 320 . 25 _ 149 172 .75
TOTAL TO BE RAISED IN TAXES 5 1199272o2gm
TAX RATE - 1 . 759 2 . 132
FIRE PROTECTION
Appropriations 159 , 500 . 00 . 1599500900
Unexpended Balance 39000 . 00 ;3 , 600 , 00
Revenues 3 , 000 . 00 539000 . 00
TOTAL TO BE RAISED IN TAXES ,
TAX RATE 2 . 700 2 667
FEDERAL REVENUE SHARING
Appropriations 91 , 108 . 00 94111132 . 00
Unexpended Balance 000 000
Revenues 91 , 108 . 00 94 , 132 . 00
1
TOTAL TO BE RAISED IN TAXES 000 . 00
TAX RATE 0000 01000
ANTI -RECESSION
ppropriations 000 1114 , 487 . 00
Unexpended Balance 000 000
Revenues 000 14 , 487 . 00
I TOTAL TO BE RAISED IN TAXES off " Soo
TAX RATE 0000 0J000
OREST HOME LIGHTING DISTRICT
r ' ppropriations 770 . 00 770 . 00
nexpended Balance 150 . 00 000
revenues 000 1 1 000
? TOTAL TO BE RAISED IN TAXES 620 . 00 770 . 00
TAX RATE . 417 110518
GLENSIDE LIGHTING DISTRICT
I Appropriations 300900 300 . 00
Unexpended Balance 120 . 00 . 00
Revenues
000 000
TOTAL TAXES TO RAISED 180000 30 . 00
s TAX RATE 9571 . 951
RENWICK HEIGHTS LIGHTING DISTRICT
s
Appropriations 415 . 00 415900
Unexpended Balance 60 . 00 000
Revenues 000 . 00
TOTAL TO RAISED IN TAXES 355 . 00 415 . 00
TAX RATE . 395 . 462
EASTWOOD COMMONS LIGHTING DISTRICT
pproprlations 715 . 00 750 . 00
Unexpended Balance . 00 000
Revenues 130 . 00 130 . 00
TOTAL TO BE RAISED IN TAXES . 85 00 620900
TAX RATE l 2
VILLAGE - TOWNWIDE TAX RATE 1 . 415 1 . 168 PART7TOWN TAX RATE 3 . 547